加拿大市场个股详情

PSYG Psyence Group Inc

添加自选
  • 0.035
  • +0.005+16.67%
延时15分钟行情已收盘 08/02 14:32 (美东)
490.11万总市值-67市盈率TTM

Psyence Group Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
(Q2)2023/09/30
(Q1)2023/06/30
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2022/12/31
(Q2)2022/09/30
(Q1)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
-55.58%105.88万
-55.58%105.88万
-88.82%20.82万
-34.46%85.13万
-70.59%68.09万
-31.80%238.34万
-31.80%238.34万
-48.64%186.2万
-69.21%129.88万
-56.39%231.57万
-现金和现金等价物
-55.58%105.88万
-55.58%105.88万
-88.82%20.82万
-34.46%85.13万
-70.59%68.09万
-31.80%238.34万
-31.80%238.34万
-48.64%186.2万
-69.21%129.88万
-56.39%231.57万
流动资产合计
-35.59%178.84万
-35.59%178.84万
-79.50%42.85万
-40.40%96.25万
-63.75%94.54万
-26.92%277.65万
-26.92%277.65万
-44.47%208.97万
-63.64%161.48万
-51.87%260.78万
非流动资产
-累计折旧
----
----
-57.30%-21.37万
-83.57%-19.06万
-103.65%-16.49万
-105.39%-15.51万
-105.39%-15.51万
-141.14%-13.58万
-129.31%-10.38万
-156.63%-8.1万
-长期股权投资
-26.13%3.33万
-26.13%3.33万
-13.80%4.11万
-10.16%4.13万
-14.82%4.1万
-14.74%4.5万
-14.74%4.5万
-3.94%4.77万
-13.23%4.6万
-12.72%4.82万
-商誉
-12.64%1.74万
-12.64%1.74万
-12.23%1.8万
-11.87%1.87万
-11.54%1.93万
-11.22%1.99万
-11.22%1.99万
-10.96%2.06万
-10.64%2.12万
25.43%2.18万
-其他无形资产
20.86%358.85万
20.86%358.85万
-14.65%325.69万
15.55%321.68万
26.16%333.88万
16.65%296.92万
16.65%296.92万
53.32%381.6万
21.39%278.38万
30.19%264.64万
监管资产
-3.27%23.72万
-3.27%23.72万
19.67%15.64万
-80.52%3.44万
11.83%17.99万
73.25%24.52万
73.25%24.52万
174.25%13.07万
30.57%17.68万
155.00%16.09万
总资产
6.96%22.31万
6.96%22.31万
20.11%15.5万
-80.26%3.39万
15.32%17.31万
228.92%20.86万
228.92%20.86万
227.41%12.91万
89.47%17.16万
174.11%15.01万
负债
流动负债
短期借款与资本租赁负债
608,256.19%1,237.4万
608,256.19%1,237.4万
-99.84%1,986
-16.12%99.84万
-99.85%1,890
-99.84%2,034
-99.84%2,034
386.42%122.6万
54,980.33%119.03万
57,528.06%127.53万
-短期借款
--1,237.34万
--1,237.34万
----
-16.14%99.65万
----
----
----
389.58%122.39万
--118.83万
--127.32万
-短期资本租赁负债
-71.73%575
-71.73%575
-6.14%1,986
-2.84%1,949
-8.52%1,890
-8.67%2,034
-8.67%2,034
2.82%2,116
-7.17%2,006
-6.64%2,066
-应付账款
-54.86%92.61万
-54.86%92.61万
940.33%90.13万
2,026.38%99万
517.08%125.09万
2,133.11%205.15万
2,133.11%205.15万
-47.52%8.66万
19.67%4.66万
81.35%20.27万
-应付税费
-26.13%3.33万
-26.13%3.33万
-13.80%4.11万
-10.16%4.13万
-14.82%4.1万
-14.74%4.5万
-14.74%4.5万
-3.94%4.77万
-13.23%4.6万
-12.72%4.82万
应计费用
-47.86%29.65万
-47.86%29.65万
15.13%46.13万
-3.90%39.19万
140.66%61.65万
154.72%56.87万
154.72%56.87万
166.48%40.07万
287.80%40.78万
133.17%25.62万
现行拨备
--25.45万
--25.45万
----
----
----
----
----
----
----
----
流动负债总额
474.80%1,507.28万
474.80%1,507.28万
-21.81%136.46万
41.98%238.03万
7.79%186.93万
64.86%262.22万
64.86%262.22万
207.53%174.52万
1,046.51%167.65万
674.69%173.42万
非流动负债
-长期借款
-26.13%3.33万
-26.13%3.33万
-13.80%4.11万
-10.16%4.13万
-14.82%4.1万
-14.74%4.5万
-14.74%4.5万
-3.94%4.77万
-13.23%4.6万
-12.72%4.82万
长期应计费用
134.28%146.67万
134.28%146.67万
-5.18%151.56万
-7.20%62.58万
-23.22%55.61万
22.47%62.6万
22.47%62.6万
255.75%159.84万
47.08%67.43万
59.71%72.42万
非流动负债总额
466.35%1,510.61万
466.35%1,510.61万
-21.59%140.57万
40.59%242.17万
7.18%191.03万
62.30%266.73万
62.30%266.73万
190.52%179.29万
764.52%172.25万
538.72%178.24万
所有者权益
股本
6.19%2,166.21万
6.19%2,166.21万
27.65%2,182.24万
33.14%2,133.43万
31.99%2,114.88万
27.31%2,040.01万
27.31%2,040.01万
6.69%1,709.61万
0.00%1,602.36万
0.00%1,602.36万
-普通股股本
6.19%2,166.21万
6.19%2,166.21万
27.65%2,182.24万
33.14%2,133.43万
31.99%2,114.88万
27.31%2,040.01万
27.31%2,040.01万
6.69%1,709.61万
0.00%1,602.36万
0.00%1,602.36万
留存收益
25.31%5.01万
25.31%5.01万
0.00%4.52万
0.00%4.52万
0.00%4.52万
0.00%4万
0.00%4万
804.54%4.52万
804.54%4.52万
804.54%4.52万
不影响留存收益的损益
282.52%12.44万
282.52%12.44万
-160.96%-19.19万
-45.74%-10.15万
-351.13%-11.44万
-354.27%-6.81万
-354.27%-6.81万
1,502.18%31.49万
-1,796.42%-6.97万
-157.32%-2.54万
总权益
-18.22%327.25万
-18.22%327.25万
-48.64%196.21万
-8.72%218.02万
-38.11%208.13万
-8.11%400.15万
-8.11%400.15万
-10.97%382.01万
-51.59%238.84万
-42.90%336.28万
(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31(Q2)2023/09/30(Q1)2023/06/30(FY)2023/03/31(Q4)2023/03/31(Q3)2022/12/31(Q2)2022/09/30(Q1)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 -55.58%105.88万-55.58%105.88万-88.82%20.82万-34.46%85.13万-70.59%68.09万-31.80%238.34万-31.80%238.34万-48.64%186.2万-69.21%129.88万-56.39%231.57万
-现金和现金等价物 -55.58%105.88万-55.58%105.88万-88.82%20.82万-34.46%85.13万-70.59%68.09万-31.80%238.34万-31.80%238.34万-48.64%186.2万-69.21%129.88万-56.39%231.57万
流动资产合计 -35.59%178.84万-35.59%178.84万-79.50%42.85万-40.40%96.25万-63.75%94.54万-26.92%277.65万-26.92%277.65万-44.47%208.97万-63.64%161.48万-51.87%260.78万
非流动资产
-累计折旧 ---------57.30%-21.37万-83.57%-19.06万-103.65%-16.49万-105.39%-15.51万-105.39%-15.51万-141.14%-13.58万-129.31%-10.38万-156.63%-8.1万
-长期股权投资 -26.13%3.33万-26.13%3.33万-13.80%4.11万-10.16%4.13万-14.82%4.1万-14.74%4.5万-14.74%4.5万-3.94%4.77万-13.23%4.6万-12.72%4.82万
-商誉 -12.64%1.74万-12.64%1.74万-12.23%1.8万-11.87%1.87万-11.54%1.93万-11.22%1.99万-11.22%1.99万-10.96%2.06万-10.64%2.12万25.43%2.18万
-其他无形资产 20.86%358.85万20.86%358.85万-14.65%325.69万15.55%321.68万26.16%333.88万16.65%296.92万16.65%296.92万53.32%381.6万21.39%278.38万30.19%264.64万
监管资产 -3.27%23.72万-3.27%23.72万19.67%15.64万-80.52%3.44万11.83%17.99万73.25%24.52万73.25%24.52万174.25%13.07万30.57%17.68万155.00%16.09万
总资产 6.96%22.31万6.96%22.31万20.11%15.5万-80.26%3.39万15.32%17.31万228.92%20.86万228.92%20.86万227.41%12.91万89.47%17.16万174.11%15.01万
负债
流动负债
短期借款与资本租赁负债 608,256.19%1,237.4万608,256.19%1,237.4万-99.84%1,986-16.12%99.84万-99.85%1,890-99.84%2,034-99.84%2,034386.42%122.6万54,980.33%119.03万57,528.06%127.53万
-短期借款 --1,237.34万--1,237.34万-----16.14%99.65万------------389.58%122.39万--118.83万--127.32万
-短期资本租赁负债 -71.73%575-71.73%575-6.14%1,986-2.84%1,949-8.52%1,890-8.67%2,034-8.67%2,0342.82%2,116-7.17%2,006-6.64%2,066
-应付账款 -54.86%92.61万-54.86%92.61万940.33%90.13万2,026.38%99万517.08%125.09万2,133.11%205.15万2,133.11%205.15万-47.52%8.66万19.67%4.66万81.35%20.27万
-应付税费 -26.13%3.33万-26.13%3.33万-13.80%4.11万-10.16%4.13万-14.82%4.1万-14.74%4.5万-14.74%4.5万-3.94%4.77万-13.23%4.6万-12.72%4.82万
应计费用 -47.86%29.65万-47.86%29.65万15.13%46.13万-3.90%39.19万140.66%61.65万154.72%56.87万154.72%56.87万166.48%40.07万287.80%40.78万133.17%25.62万
现行拨备 --25.45万--25.45万--------------------------------
流动负债总额 474.80%1,507.28万474.80%1,507.28万-21.81%136.46万41.98%238.03万7.79%186.93万64.86%262.22万64.86%262.22万207.53%174.52万1,046.51%167.65万674.69%173.42万
非流动负债
-长期借款 -26.13%3.33万-26.13%3.33万-13.80%4.11万-10.16%4.13万-14.82%4.1万-14.74%4.5万-14.74%4.5万-3.94%4.77万-13.23%4.6万-12.72%4.82万
长期应计费用 134.28%146.67万134.28%146.67万-5.18%151.56万-7.20%62.58万-23.22%55.61万22.47%62.6万22.47%62.6万255.75%159.84万47.08%67.43万59.71%72.42万
非流动负债总额 466.35%1,510.61万466.35%1,510.61万-21.59%140.57万40.59%242.17万7.18%191.03万62.30%266.73万62.30%266.73万190.52%179.29万764.52%172.25万538.72%178.24万
所有者权益
股本 6.19%2,166.21万6.19%2,166.21万27.65%2,182.24万33.14%2,133.43万31.99%2,114.88万27.31%2,040.01万27.31%2,040.01万6.69%1,709.61万0.00%1,602.36万0.00%1,602.36万
-普通股股本 6.19%2,166.21万6.19%2,166.21万27.65%2,182.24万33.14%2,133.43万31.99%2,114.88万27.31%2,040.01万27.31%2,040.01万6.69%1,709.61万0.00%1,602.36万0.00%1,602.36万
留存收益 25.31%5.01万25.31%5.01万0.00%4.52万0.00%4.52万0.00%4.52万0.00%4万0.00%4万804.54%4.52万804.54%4.52万804.54%4.52万
不影响留存收益的损益 282.52%12.44万282.52%12.44万-160.96%-19.19万-45.74%-10.15万-351.13%-11.44万-354.27%-6.81万-354.27%-6.81万1,502.18%31.49万-1,796.42%-6.97万-157.32%-2.54万
总权益 -18.22%327.25万-18.22%327.25万-48.64%196.21万-8.72%218.02万-38.11%208.13万-8.11%400.15万-8.11%400.15万-10.97%382.01万-51.59%238.84万-42.90%336.28万

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

热议
加拿大
综合热度
股票代码
最新价
涨跌幅